對(duì)沖基金的投資策略有哪些呢?在備考中每個(gè)知識(shí)點(diǎn)不可能全部都掌握的,但是每個(gè)知識(shí)點(diǎn)都要學(xué)習(xí)的,這是CFA二級(jí)考試知識(shí),看看你是不是學(xué)習(xí)到了呢?

對(duì)沖基金的投資策略主要包含四種大策略:event-driven, relative value, macro-strategy, and equity hedge strategy.

event-driven strategy 下面的子策略:

merger arbitragelong acquired stock, short acquiring stock

distressed securitieslong bond, short stock; long senior bond, short subordinate bond

relative value strategy 下面的子策略:

fixed income convertible (long convertible bond, short common stock)

fixed income general

fixed income asset backed

volatility (option)

multi-strategy

macro-strategy

top-down

long or short


equity hedge strategy

market neutral (long and short)

fundamental growth

fundamental value

quantitative directional (technical analysis)

所以你明白了沒有?如果你還在備考CFA考試,CFA課程學(xué)習(xí)方面遇見不同的困難,不妨與融躍老師在線聯(lián)系,為你進(jìn)行課程的解答。同時(shí)還可以試學(xué)課程,找到適合自己的內(nèi)容。